GB/G Manager - Treasury
BASF SE
Job description
About the role
BASF is seeking a GB/G Manager to lead its Regional Treasury function in India. The role will oversee cash management, hedging, and liquidity activities across the regional platform while supporting the establishment of BASF’s new Global Hub.
Key responsibilities
- Lead the regional treasury team responsible for cash and hedging activities across the platform.
- Implement global and regional cash‑management projects and ensure governance compliance.
- Provide payment and collection solutions to business units, functional units and joint‑venture treasurers.
- Manage FX trading, liquidity provisioning and derivative instruments to optimise yield and mitigate currency risk.
- Contribute regional expertise to the global cash‑management community.
- Develop team capabilities through knowledge sharing, rotation planning and succession management.
Required profile
- Significant experience in treasury operations, cash management and FX risk mitigation.
- Proven leadership skills with the ability to build and develop high‑performing teams.
- Strong analytical mindset and ability to drive process improvements.
- Excellent communication skills to advise internal stakeholders.
Required skills
- Cash management
- FX trading and derivatives
- Leadership and team development
What we offer
- Opportunity to shape BASF’s new Global Hub in India.
- Competitive compensation, benefits and structured career pathways.
- Hybrid work model (mix of on‑site and remote).
- Access to world‑class learning and development programs.
- Inclusive, diverse and collaborative work culture.
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Published 1 week ago
Expires 1 month from now
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BASF SE